US Stock MarketDetailed Quotes

SSDOF SHISEIDO COMPANY LIMITED

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  • 25.280
  • 0.0000.00%
15min DelayClose Oct 8 16:00 ET
10.10BMarket Cap149.59P/E (TTM)

SHISEIDO COMPANY LIMITED Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
58.40%8.03B
-137.09%-3.83B
-38.45%31.04B
-66.16%2.32B
-25.84%13.33B
-70.94%5.07B
26.54%10.32B
-49.12%50.43B
41.59%6.84B
-84.36%17.97B
Other non cash items
176.25%7.9B
85.08%-1.82B
-268.13%-27.2B
-178.95%-10.85B
3.66%6.2B
-489.55%-10.37B
-96.69%-12.19B
-40.11%16.18B
32.44%13.74B
49.94%5.98B
Change In working capital
-266.00%-12.87B
26.20%-6.95B
135.97%8.68B
-32.84%18.46B
50.66%-8.11B
131.28%7.75B
9.52%-9.42B
-152.73%-24.14B
14.95%27.49B
-97.06%-16.43B
-Change in receivables
-62.90%11.93B
-549.70%-19.19B
654.82%35.14B
-60.77%5.86B
54.55%-7.13B
2,081.08%32.15B
208.32%4.27B
-356.34%-6.33B
86.49%14.93B
10.46%-15.7B
-Change in inventory
-137.85%-2.33B
393.92%1.55B
33.60%-2.22B
-54.80%400M
-975.58%-8.25B
399.32%6.15B
83.14%-526M
-128.31%-3.35B
-37.10%885M
122.73%942M
-Change in other current liabilities
30.26%-22.04B
34.74%-7.58B
-89.28%-23.69B
-1.36%14.26B
478.29%5.26B
-46.21%-31.6B
-192.59%-11.61B
-135.08%-12.52B
-13.11%14.46B
-110.77%-1.39B
Cash from discontinued investing activities
Operating cash flow
-31.13%28.05B
20.74%3.56B
90.49%89.03B
-56.75%27.92B
35.45%17.43B
889.60%40.73B
108.47%2.95B
-65.19%46.74B
17.65%64.54B
139.53%12.87B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
36.99%-4.01B
-729.06%-7.06B
61.62%-11.9B
-20.37%-11.76B
341.73%5.1B
53.24%-6.37B
120.37%1.12B
57.99%-31B
-53.09%-9.77B
89.72%-2.11B
Net intangibles purchase and sale
20.56%-6.69B
18.80%-6.28B
3.15%-28.97B
23.59%-6.47B
10.07%-6.36B
-3.90%-8.42B
-23.07%-7.73B
-50.12%-29.92B
-30.05%-8.46B
-47.31%-7.07B
Net business purchase and sale
251.39%14.4B
-674.62%-49.22B
-50.15%6.87B
-170.41%-1.17B
7.09%8.98B
-462.94%-9.51B
673.71%8.57B
-90.81%13.78B
-90.64%1.66B
-93.65%8.39B
Net investment purchase and sale
257.96%804M
0.27%-1.46B
-414.61%-3.45B
13.63%-1.1B
-114.43%-373M
-173.03%-509M
-60.62%-1.46B
8.09%1.1B
-138.25%-1.28B
232.58%2.58B
Net other investing changes
-114.47%-163M
-1.62%606M
-59.62%1.91B
1,184.30%2.21B
-896.43%-837M
-103.39%-76M
-74.38%616M
199.49%4.74B
108.13%172M
-107.74%-84M
Cash from discontinued investing activities
Investing cash flow
117.44%4.34B
-5,796.41%-63.4B
13.97%-35.54B
-3.49%-18.29B
282.00%6.52B
-53.97%-24.88B
112.12%1.11B
-161.90%-41.31B
-889.54%-17.67B
-98.50%1.71B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-83.13%-26.57B
201.37%60.04B
-225.33%-5.44B
64.21%-9.45B
49.43%-1.41B
-1,473.75%-14.51B
-42.16%19.92B
103.05%4.34B
48.24%-26.39B
96.34%-2.79B
Net common stock issuance
50.00%-1M
50.00%-1M
-103.40%-8M
66.67%-1M
---3M
-101.32%-2M
-102.33%-2M
389.58%235M
-127.27%-3M
--0
Cash dividends paid
59.26%-429M
59.95%-11.56B
-90.76%-41.91B
31.88%-406M
-23.34%-11.59B
-148.35%-1.05B
-149.78%-28.86B
-37.42%-21.97B
-112.86%-596M
-21.68%-9.39B
Net other financing activities
-5.41%-195M
-7,500.00%-76M
33.18%-441M
-57.47%-137M
74.79%-118M
---185M
---1M
81.44%-660M
87.93%-87M
-179.19%-468M
Cash from discontinued financing activities
Financing cash flow
-39.22%-35.27B
362.14%41.76B
-44.31%-75.64B
49.37%-16.64B
15.12%-17.73B
-84.92%-25.34B
-205.91%-15.93B
72.49%-52.42B
42.54%-32.87B
76.64%-20.89B
Net cash flow
Beginning cash position
-8.95%90.38B
-12.06%104.69B
-23.94%119.04B
3.52%112.74B
-6.50%103.66B
-24.78%99.27B
-23.94%119.04B
14.78%156.5B
-28.31%108.91B
-9.64%110.86B
Current changes in cash
69.61%-2.88B
-52.32%-18.08B
52.86%-22.15B
-150.06%-7.01B
198.37%6.22B
63.16%-9.48B
58.97%-11.87B
-551.53%-46.99B
14,539.18%14.01B
-121.21%-6.32B
Effect of exchange rate changes
0.14%4.36B
148.06%3.78B
-27.37%7.28B
53.51%-1.8B
73.92%3.21B
-44.76%4.35B
-63.55%1.52B
2.84%10.02B
-195.23%-3.88B
3,252.73%1.84B
End cash Position
-11.38%91.86B
-8.95%90.38B
-12.06%104.69B
-12.06%104.69B
3.52%112.74B
-6.50%103.66B
-24.78%99.27B
-23.94%119.04B
-23.94%119.04B
-28.31%108.91B
Free cash flow
-36.14%16.57B
-3.09%-9.79B
271.30%33.35B
-73.17%12.27B
561.35%4.63B
247.42%25.95B
79.62%-9.49B
-149.88%-19.47B
11.24%45.72B
92.06%-1B
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 58.40%8.03B-137.09%-3.83B-38.45%31.04B-66.16%2.32B-25.84%13.33B-70.94%5.07B26.54%10.32B-49.12%50.43B41.59%6.84B-84.36%17.97B
Other non cash items 176.25%7.9B85.08%-1.82B-268.13%-27.2B-178.95%-10.85B3.66%6.2B-489.55%-10.37B-96.69%-12.19B-40.11%16.18B32.44%13.74B49.94%5.98B
Change In working capital -266.00%-12.87B26.20%-6.95B135.97%8.68B-32.84%18.46B50.66%-8.11B131.28%7.75B9.52%-9.42B-152.73%-24.14B14.95%27.49B-97.06%-16.43B
-Change in receivables -62.90%11.93B-549.70%-19.19B654.82%35.14B-60.77%5.86B54.55%-7.13B2,081.08%32.15B208.32%4.27B-356.34%-6.33B86.49%14.93B10.46%-15.7B
-Change in inventory -137.85%-2.33B393.92%1.55B33.60%-2.22B-54.80%400M-975.58%-8.25B399.32%6.15B83.14%-526M-128.31%-3.35B-37.10%885M122.73%942M
-Change in other current liabilities 30.26%-22.04B34.74%-7.58B-89.28%-23.69B-1.36%14.26B478.29%5.26B-46.21%-31.6B-192.59%-11.61B-135.08%-12.52B-13.11%14.46B-110.77%-1.39B
Cash from discontinued investing activities
Operating cash flow -31.13%28.05B20.74%3.56B90.49%89.03B-56.75%27.92B35.45%17.43B889.60%40.73B108.47%2.95B-65.19%46.74B17.65%64.54B139.53%12.87B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 36.99%-4.01B-729.06%-7.06B61.62%-11.9B-20.37%-11.76B341.73%5.1B53.24%-6.37B120.37%1.12B57.99%-31B-53.09%-9.77B89.72%-2.11B
Net intangibles purchase and sale 20.56%-6.69B18.80%-6.28B3.15%-28.97B23.59%-6.47B10.07%-6.36B-3.90%-8.42B-23.07%-7.73B-50.12%-29.92B-30.05%-8.46B-47.31%-7.07B
Net business purchase and sale 251.39%14.4B-674.62%-49.22B-50.15%6.87B-170.41%-1.17B7.09%8.98B-462.94%-9.51B673.71%8.57B-90.81%13.78B-90.64%1.66B-93.65%8.39B
Net investment purchase and sale 257.96%804M0.27%-1.46B-414.61%-3.45B13.63%-1.1B-114.43%-373M-173.03%-509M-60.62%-1.46B8.09%1.1B-138.25%-1.28B232.58%2.58B
Net other investing changes -114.47%-163M-1.62%606M-59.62%1.91B1,184.30%2.21B-896.43%-837M-103.39%-76M-74.38%616M199.49%4.74B108.13%172M-107.74%-84M
Cash from discontinued investing activities
Investing cash flow 117.44%4.34B-5,796.41%-63.4B13.97%-35.54B-3.49%-18.29B282.00%6.52B-53.97%-24.88B112.12%1.11B-161.90%-41.31B-889.54%-17.67B-98.50%1.71B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -83.13%-26.57B201.37%60.04B-225.33%-5.44B64.21%-9.45B49.43%-1.41B-1,473.75%-14.51B-42.16%19.92B103.05%4.34B48.24%-26.39B96.34%-2.79B
Net common stock issuance 50.00%-1M50.00%-1M-103.40%-8M66.67%-1M---3M-101.32%-2M-102.33%-2M389.58%235M-127.27%-3M--0
Cash dividends paid 59.26%-429M59.95%-11.56B-90.76%-41.91B31.88%-406M-23.34%-11.59B-148.35%-1.05B-149.78%-28.86B-37.42%-21.97B-112.86%-596M-21.68%-9.39B
Net other financing activities -5.41%-195M-7,500.00%-76M33.18%-441M-57.47%-137M74.79%-118M---185M---1M81.44%-660M87.93%-87M-179.19%-468M
Cash from discontinued financing activities
Financing cash flow -39.22%-35.27B362.14%41.76B-44.31%-75.64B49.37%-16.64B15.12%-17.73B-84.92%-25.34B-205.91%-15.93B72.49%-52.42B42.54%-32.87B76.64%-20.89B
Net cash flow
Beginning cash position -8.95%90.38B-12.06%104.69B-23.94%119.04B3.52%112.74B-6.50%103.66B-24.78%99.27B-23.94%119.04B14.78%156.5B-28.31%108.91B-9.64%110.86B
Current changes in cash 69.61%-2.88B-52.32%-18.08B52.86%-22.15B-150.06%-7.01B198.37%6.22B63.16%-9.48B58.97%-11.87B-551.53%-46.99B14,539.18%14.01B-121.21%-6.32B
Effect of exchange rate changes 0.14%4.36B148.06%3.78B-27.37%7.28B53.51%-1.8B73.92%3.21B-44.76%4.35B-63.55%1.52B2.84%10.02B-195.23%-3.88B3,252.73%1.84B
End cash Position -11.38%91.86B-8.95%90.38B-12.06%104.69B-12.06%104.69B3.52%112.74B-6.50%103.66B-24.78%99.27B-23.94%119.04B-23.94%119.04B-28.31%108.91B
Free cash flow -36.14%16.57B-3.09%-9.79B271.30%33.35B-73.17%12.27B561.35%4.63B247.42%25.95B79.62%-9.49B-149.88%-19.47B11.24%45.72B92.06%-1B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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